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02012 SUNSHINE OIL
RT Nominal down0.166 -0.005 (-2.924%)
Latest  |  Final  |  Interim
Non-current Assets
2026/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2025/12
CAD(K$)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
Investment Properties0--0000
Property, plant, equip. & others474,522-0.150%475,234476,446481,384485,222
Land & other Lease Assets4,590-0.649%4,6205,3265,9835,720
Intangible Assets0--0000
Interests in Asso. & JCEs0--0000
Other Non-current Assets253,0920.966%250,671240,755252,614246,391

732,2040.230%730,525722,527739,981737,333
Current Assets
2026/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2025/12
CAD(K$)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
Inventories0--0000
Trade Receivables2,289-12.800%2,62503,5011,304
Cash & Bank Balances739-30.151%1,058319527542
Other Current Assets46-95.198%95816,1771,9238,540
Assets Held for Sale0--0000

3,074-33.764%4,64116,4965,95110,386
Current Liabilities
2026/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2025/12
CAD(K$)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
Trade Payables18,560-8.223%20,22320,34018,97316,433
S-T Debt & Leases12,282-18.484%15,06727,29912,959288,639
Other Current Liabilities93,11720.473%77,29361,52353,477216,897
Liab asso w/ Assets Held for Sale0--0000

123,95910.105%112,583109,16285,409521,969
Net Current Assets(120,885)11.991%(107,942)(92,666)(79,458)(511,583)
Total Assets Less Current Liabilities611,319-1.809%622,583629,861660,523225,750
Non-current Liabilities
2026/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2025/12
CAD(K$)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
L-T Debt & Leases344,7222.130%337,531355,909338,09164,127
Other Non-current Liabilities269,2344.782%256,947257,104231,38551,614

613,9563.276%594,478613,013569,476115,741
Capital and Reserves
2026/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2025/12
CAD(K$)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
  Share Capital1,352,7280.809%1,341,8681,318,6811,315,2651,315,265
  Reserves(1,353,257)3.155%(1,311,868)(1,300,237)(1,223,000)(1,204,257)
  Others0--0000
Shareholders' Funds(529)--30,00018,44492,265111,008
Non-controlling Interests(2,108)11.240%(1,895)(1,596)(1,218)(999)
Others0--0000

(2,637)--28,10516,84891,047110,009
Commitments and Contingent Liabilities
2026/06 - Interim
CAD(K$)
%Chg
(Compare to Final)
2025/12
CAD(K$)
2024/12
CAD(K$)
2023/12
CAD(K$)
2022/12
CAD(K$)
Commitments------1,4842,5001,597
Contingent Liabilities------000
Remarks:  Real time quote last updated: 14/08/2026 17:59
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service
Security Code
Company Name (Chi/Eng/Keywords)
Industry
Profit / (Loss) Attributable to Shareholders (K$)CAD -40,131
%Change243.088%
EPS / (LPS)CAD -0.060
NBV Per Share ($)CAD -0.001
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